Time to end the failed experiment with rigged corporate trade and put in place fair trade for the people and planet before profits
Momentum is growing in the campaign to stop the Trans-Pacific Partnership (TPP). Yesterday, the TPP was dealt two blows. Each could be lethal but the TPP, and its Atlantic counterpart, called TAFTA, are not dead yet. It is time for the movement of movements that formed to oppose the TPP to stand in solidarity, defeat these agreements and end the era of rigged corporate trade.
Yesterday’s first blow came from Wikileaks, showing once again that when government works in secret with big corporations, exposure by whistle blowers is critical to changing the corrupt direction of government and the economy. Wikileaks published the full text of the intellectual property chapter; the leaked document included the positions of all the parties. It will take time for all the corporate rigging in this lengthy document to be understood, but already it is evident that Internet freedom will be curtailed, access to health care will become more expensive and access to information will be undermined.
This is not the first leak of TPP text. Previous leaks are consistent with the Wikileaks leak – enhanced corporate power that puts profits before the needs of the people and the protection of the planet. The Wikileaks release shows that the United States is by far the most aggressive advocate for trans-national corporate interests, often isolated in pushing for harmful policies.
The second blow came from members of the U.S. House of Representatives. In recent days, several letters were sent to President Obama opposing Fast Track Trade Promotion Authority. Fast Track undermines Congress’ responsibility under the Commerce Clause to regulate trade between nations by allowing the president to sign the agreement before Congress even sees it. The letters made public on November 13th demonstrate broad bi-partisan opposition to Fast Track with 179 Members signing at least one of the three letters.
A letter spearheaded by Rep. Rosa DeLauro (D-CT) and Rep. George Miller (D-CA) garnered the support of three-quarters of House Democrats with 151 Members telling President Obama they oppose Fast Track, writing:
We will oppose ‘Fast Track’ Trade Promotion Authority or any other mechanism delegating Congress’ constitutional authority over trade policy that continues to exclude us from having a meaningful role in the formative stages of trade agreements and throughout negotiating and approval processes.
Important leaders of the Democratic Party signed the letter including 18 out of 21 Ranking Members who would chair committees if the Democrats were in the majority. This means that to pursue Fast Track authority, President Obama will need to challenge three-quarters of his own party.
But, that is not all. In another letter, organized by Mike Thompson (D-CA) and Earl Blumenauer (D-OR) and signed by 12 of the 16 Democratic Party members of the Ways and Means Committee, which is primarily responsible for Fast Track legislation, members expressed opposition to Fast Track unless it was radically different from previous grants of authority. The letter says it “cannot just be an extension of earlier trade promotion authorities. Any new proposed TPA must . . . ensure Congress plays a more meaningful role in the negotiating process.”
And, the opposition is bi-partisan. Rep. Walter Jones (R-NC) and Rep. Michelle Bachmann (R-MN) drafted a letter signed by 23 Republicans. The Republican letter emphasized that Congress has the “exclusive authority to set the terms of trade.” Further, “The Founders established this clear check and balance to prevent the president from unilaterally negotiating with foreign nations and imposing trade policies that Congress would deem to be against the national interest.” They write that they refuse to “cede our constitutional authority to the executive” through Fast Track.
These are just the latest problems in the quest for Fast Track, indeed a bill has yet to be introduced. The previous US Trade Representative, Ron Kirk, said in 2012: “We’ve got to have it.” He wanted the authority by the end of 2012. In April, Sen. Max Baucus (D-MT) promised Obama Fast Track by June of 2013. The broad bi-partisan opposition announced this week shows that winning Fast Track has very little support in Congress. In fact, the letters may be the death knell for such legislation.
The Wikileaks documents show there is a lot of division among the negotiating nations with important disagreements on key aspects of the text. Without Fast Track to guarantee passage of the TPP, these nations will be even less likely to agree to demands by the U.S. Further, Asian countries are negotiating their own competing agreement, which does not include the United States but, unlike the TPP, does include China.
Latin American countries are also speaking out against the TPP. Earlier this year, Rodrigo Contreras, Chile’s lead TPP negotiator quit to warn people of the dangers of the TPP – highlighting how big financial institutions will dominate their governments and how the TPP “will become a threat for our countries: It will restrict our development options in health and education, in biological and cultural diversity, and in the design of public policies and the transformation of our economies. It will also generate pressures from increasingly active social movements, who are not willing to grant a pass to governments that accept an outcome of the TPP negotiations that limits possibilities to increase the prosperity and well-being of our countries.” And, recently the Parliament of Peru passed a resolution “requesting that the government open a ‘public, political, and technical debate’ on the binding rules being negotiated in the TPP.”
In the United States, cities and counties are beginning to pass TPP Free Zones, saying they will not obey the TPP if it becomes law. These local governments are concerned with provisions that would not allow them to give preference to buying local, buying U.S. made goods or other provisions that undermine their sovereignty.
In addition to opposition in the U.S. government and foreign governments, a mass citizen uprising is developing against the TPP. There have been large protests in many of the countries involved in the negotiations as well as in the United States. The night before the Wikileaks documents were released, 13 cities did visibility protests opposing the TPP in light shows. In September we joined with activists in Washington, DC in a series of protests, including covering the office building of the US Trade Representative in banners to expose their secret trade agreement. Protests are scheduled for Salt Lake City, UT on November 19th where lead negotiators from 12 countries will hold meetings. A global day of protest is planned for December 3 against not only the TPP but also the WTO and all toxic trade agreements.
The TPP is running into resistance in Congress, local governments and among Pacific nations in Asia and Latin America; and by people who oppose the agreement all over the world. This is part of a growing movement of movements – all of the movements impacted by corporate trade; e.g. labor, environmental, Internet freedom, health care, food sovereignty, immigrants’ rights, banking regulation – are joining together to defeat it.
The people are winning. Fourteen trade agreements have been stopped in the last 14 years and as Tom Donohue of the US Chamber of Commerce wrote this week “the WTO has not concluded a single new multilateral trade agreement since it was created in 1995.” Mass protest against rigged corporate trade agreements can end the experiment in trade that puts profits ahead of the people and planet.
We are on the verge of defeating Fast Track. It is important that we keep the pressure on Congress. Neither the TPP nor TAFTA will become law if people learn what is in them and Congress fulfills its constitutional responsibility to review their impact. Denying the President Fast Track is the essential step to defeat both of these agreements.
Once we defeat Fast Track and prevent TPP and TAFTA from becoming law, we need to remain in solidarity and work to transform trade so it becomes “fair” trade that puts the necessities of the people and the protection of the planet first. The people will have firmly established that they will not tolerate rigged corporate trade deals. If corporations want to see trade between nations, they need a new approach – transparent, participatory and fair – with new goals of serving the people and planet.
To get involved in the campaign to stop the Trans-Pacific Partnership visit Flush the TPP.
Kevin Zeese, JD and Margaret Flowers, MD co-host Clearing the FOG on We Act Radio 1480 AM Washington, DC, co-direct Its Our Economy and are organizers of the Occupation of Washington, DC.Their twitters are @KBZeese and MFlowers8.
November 14, 2013
Posted by aletho |
Corruption, Deception, Economics | Democratic Party, Fast Track, Max Baucus, Rosa DeLauro, Trans-Pacific Strategic Economic Partnership, United States |
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Typhoon Haiyan (Yolanda), the strongest tropical typhoon ever recorded, has resulted in devastating consequences for the Philippines. The natural disaster took the lives of more than 10,000 people.
An estimated 615,000 residents have been displaced. Up to 4.3 million people have been affected, according to government sources.
The tragedy has become a talking point at Warsaw Climate Change Conference under UN auspices. The plight of Typhoon Haiyan has casually been assigned without evidence to the impacts of global warming.
While there is no scientific evidence that the super typhoon was the consequence of global warming, opening statements at the Warsaw summit hinted in no uncertain terms to a verified casual relationship. The executive director of the UN Framework Convention on Climate Change (UNFCC), Christiana Figueres, stated (without evidence) that the typhoon was part of the “sobering reality” of global warming.
In turn, the Philippines’ UN representative at the Climate Change talks, Yeb Sano, stated in his address at the opening session that “Typhoons such as Yolanda (Haiyan) and its impacts represent a sobering reminder to the international community that we cannot afford to procrastinate on climate action. Warsaw must deliver on enhancing ambition and should muster the political will to address climate change.”
In a bitter irony, the tragedy in the Philippines has contributed to reinforcing a consensus which indirectly feeds the pockets of corporations lobbying for a new deal on carbon trade. ‘Cap-and-trade’ is a multibillion dollar bonanza which is supported by the global warming consensus.
According to UNFCC executive director Christiana Figueres, “We must clarify finance that enables the entire world to move towards low-carbon development…We must launch the construction of a mechanism that helps vulnerable populations to respond to the unanticipated effects of climate change.”
Known and documented, cap-and-trade markets are manipulated. What is at stake is the trade in carbon derivatives which is controlled by powerful financial institutions including JP Morgan Chase. In 2008, Simon Linnett, executive vice-chairman of Rothschild, acknowledged the nature of this multibillion dollar business.
“As a banker, I also welcome the fact that the cap-and-trade system is becoming the dominant methodology for CO2 control. Unlike taxation, or plain regulation, cap-and-trade offers the greatest scope for private sector involvement and innovation,” he said, as quoted by The Telegraph.
Cap-and-trade packaged into derivative products feeds on the global warming consensus. Without it, this multibillion dollar trade would fall flat.
The humanitarian crisis in the Philippines bears no relationship to global warming. The social impacts of Typhoon Haiyan are aggravated due to the lack of infrastructure and social services, not to mention the absence of a coherent housing policy. Those most affected by the typhoon are living in poverty in make-shift homes.
A reduction of CO2 emissions – as suggested by Yeb Sano in his address at the Warsaw summit – will not resolve the plight of an impoverished population.
In the Philippines, the social impacts of natural disasters are invariably exacerbated by a macro-economic policy framework imposed by Manila’s external creditors.
What is at stake is the deadly thrust of neoliberal economic reforms. For more than 25 years – since the demise of the Marcos dictatorship – the International Monetary Fund’s “economic medicine” under the helm of the Washington Consensus has prevailed, largely serving the interests of financial institutions and corporations in mining and agribusiness.
The government of Philippine President Benigno Aquino has embarked upon a renewed wave of austerity measures which involves sweeping privatization and the curtailment of social programs. In turn, a large chunk of the state budget has been redirected to the military, which is collaborating with the Pentagon under Obama’s “Asia Pivot.” This program – which serves the interests of Washington at the expense of the Philippines population – also includes a $1.7 billion purchase of advanced weapons systems.
Now we have had a few days to reflect on the terrible events of last week, we can start to piece together some of the facts.
First of all, as it is the thing that really matters above all, fatalities. The good news, if it can be termed that, is that the death toll is likely to be around 2000 to 2500, according to the Philippine President. This is much less than the 10,000 originally feared to have died.
As far as the storm itself was concerned, the official statistics from the Philippine Met Agency, PAGASA, remain the same as those issued at the time. The table below compares these with the original satellite estimates put out by the Joint Typhoon Warning Centre, JTWC, and that were subsequently used by the media around the world to claim that Yolanda was the “strongest storm ever”.
|
PAGASA |
JTWC |
| Sustained Wind Speed mph |
147 |
195 |
| Gust mph |
171 |
235 |
Full article
See also:
Some historical perspectives on Typhoon Haiyan-Yolanda
November 13, 2013
Posted by aletho |
Corruption, Deception, Science and Pseudo-Science, Timeless or most popular | Climate change, Global warming, Haiyan, JPMorgan Chase, Natural disasters, United Nations Framework Convention on Climate Change |
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One of the nation’s leading banks wants Congress to amend federal law adopted in the wake of the 2008 financial crisis so it and other Wall Street institutions can go back to gambling with risky investments and have taxpayers cover the losses again if they bet wrong.
Under the Dodd-Frank Act of 2010 (pdf), banks can no longer use monies backed by the Federal Deposit Insurance Corporation (FDIC) to invest in high-risk derivatives, such as “swaps.” This prohibition was adopted because derivatives crippled numerous key players on Wall Street five years ago, including Countrywide Mortgages, Bear Stearns, AIG, Lehman Brothers, Washington Mutual, Wachovia and others.
One of those “others” was Citigroup, which had to be bailed out by the federal government to the tune of $45 billion. A Citigroup lobbyist, though, was primarily responsible for authoring the Swaps Regulatory Improvement Act, which was approved by the U.S. House of Representatives two weeks ago.
The bill would wipe out Section 716 (pdf) of Dodd-Frank that requires banks to use a non-bank entity for trading commodity, energy and other swaps. In other words, if the legislation becomes law, financial institutions could return to conducting high-risk trading with funds that are backed by the FDIC (i.e. the taxpayer).
Dennis Anderson, who’s running for Congress from Illinois, says “to propose an easing of the controls on such behavior is irresponsible.”
“The behavior of these large banks and financial institutions cost all of us in loss of value in our retirement accounts, in lowered property values and, most importantly, in the general and deep recession that followed the failure of their gambling,” Anderson wrote at Daily Kos. “The idea of ‘too big to fail’ is still with us, and has grown even more threatening as these institutions have continued to grow.”
Citigroup was responsible for recommendations made in 70 lines of the 85-line bill, according to Eric Lipton and Ben Protess of The New York Times. In fact, reported the writers, a couple key paragraphs in the bill had been copied word for word from Citigroup’s submitted draft, which it had developed in conjunction with other Wall Street banks.
The legislation cleared the House on a 292-122 vote that saw 70 Democrats join all but three Republicans. Republicans voting against the measure were Representatives John Duncan of Tennessee, Walter Jones of North Carolina and Thomas Massie of Kentucky.
One of the Democrats supporting the change was Representative Carolyn Maloney of New York, the second-ranking Democrat on the House Financial Services Committee. She told The Hill that the bill would “protect safety and soundness,” per Federal Reserve Chairman Ben Bernanke.
“Even Federal Reserve Chairman Ben Bernanke opposed Section 716 as written, stating that the way it forces these activities out of insured depository institutions ‘would weaken both the financial stability and strong regulation of the derivatives activities,’” she said.
Bernanke has supported certain changes to the law, but never backed the Citigroup bill, according to the Times.
The White House said it opposes the bill, noting that the law is still being implemented by regulators. Legislation to amend it is “premature and could be disruptive and harmful to the implementation of these reforms,” it added.
Only about 40% of the rules required by the law have been implemented to date. Whether the Citigroup bill passes or not, such attempted legislation has “a chilling effect on regulators,” according to the Times.
“After inflicting so much pain and suffering on the American people, now is not the time to let the largest banks back into the casino,” Representative Maxine Waters (D-California) said in a statement.
Why are so many other Democrats supporting a bill that the Obama administration opposes? House aides interviewed by the Times theorized that “Republicans have enough votes to pass it themselves, so vulnerable House Democrats might as well join them, and collect industry money for their campaigns,” wrote Lipton and Protess.
Indeed, lawmakers who currently support bills advocated by big banks have, this month, received double the amount of donations from Wall Street firms as those who opposed such bills, according to MapLight, a nonprofit group that analyzes campaign financial records.
Additionally, Wall Street has, in the past few weeks, hosted special fundraisers for the bills’ co-sponsors.
A Democrat who supports the industry bills and is a top cash recipient of Wall Street—Representative Jim Himes of Connecticut, who was once a Goldman Sachs banker—confessed that the “system” has “problems.” “It’s appalling, it’s disgusting, it’s wasteful and it opens the possibility of conflicts of interest and corruption,” he told the Times. “It’s unfortunately the world we live in.”
To Learn More:
Heard about the Swaps Regulatory Improvement Act (H.R.992 – 113th Congress)? (by Dennis Anderson, Daily Kos)
House Votes for Bipartisan Change to Dodd-Frank on Bank Swaps (by Pete Kasperowicz, The Hill)
House, Set to Vote on 2 Bills, Is Seen as an Ally of Wall St. (by Eric Lipton and Ben Protess, New York Times)
Banks’ Lobbyists Help in Drafting Financial Bills (by Eric Lipton and Ben Protess, New York Times)
November 12, 2013
Posted by aletho |
Corruption, Economics | Citigroup, Dodd–Frank Wall Street Reform and Consumer Protection Act, Federal Deposit Insurance Corporation, Goldman Sachs, United States |
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Since the formation of Israel and even before that, Tel Aviv has always resorted to lobbying to pursue its illegitimate objectives, including efforts to earn recognition for its so-called government.
Israel’s most active lobby is in the US, but it is also highly active in European countries such as Britain, Germany, France and even Italy and Spain.
This article seeks to discuss the influence of the Zionist lobby and France-Israel ties.
After a book by John Mearsheimer and Stephen Walt about the influence of the Israeli lobby on US foreign policy was published in 2007, French daily Le Monde published an article in October that year describing the Zionist lobby in France as a non-transparent and deceitful group. From that point, the issue of the Zionist lobby in France and its influence on the country’s foreign and domestic policy has been taken into consideration.
The Zionist lobby in France has extensive influence in three areas: A: Media and their affiliate companies, including Eutelsat; B: Political parties who receive campaign funding and media sponsorship from the Zionist lobby; C: Oil and arms companies.
The history of Zionist lobby in France
The Zionist movement led by Joseph Fisher started its activities in France between the first and second World Wars. Later in 1949, Fisher became Israel’s ambassador to Belgium. France had incurred heavy losses during World War II and that laid the groundwork for the presence of affluent Jews in different economic, social, judicial, cultural, religious and political arenas of the country.
At present, there are over 100 Jewish organizations and societies in France and all of the active Israeli parties have offices in Paris. In 1977, different Jewish groups in France merged and formed the Representative Council of French Jewish Institutions (Le Conseil Representatif des Institutions Juives de France (CRIF)).
The group is tasked with pursuing the interests of Israel inside France and its foreign policy. The group which owns a myriad of newspapers, magazines, TV networks and satellite service providers, has extensive influence in France’s political and legal bodies. Moreover, the Zionist lobby has a lot of lucrative businesses and financial institutions under its control.
The Zionist lobby in Israel has also formed certain groups for defaming, suing and even bringing to trial the individuals and groups which do not assert Israel’s interests. The French Union of Jewish students, the union of Jewish merchants in France, the SOS Racisme (established by the French Socialist Party to curry favor with Israel), the Organization of Lawyers without Borders France and the Anti-Defamation League are some examples.
French parties and the Zionist lobby
In domestic politics, some of the political parties are in competition with each other to forge friendly ties with Israel due to their need of pro-Israeli funds for victory in elections.
One of the examples of the Zionist Lobby’s sway in France is the naming of one the key roundabouts in Paris as David Ben-Gurion by the council of the city, which is comprised of rightist and socialist parties. Interestingly, the socialist mayor of Paris performed the ceremony with Shimon Peres.
Moreover, there are other Parisian squares named after the Zionist leaders such as Theodor Herzl and Yitzhak Rabin.
In 2012, around 112 French lawmakers, both rightists and leftists, held a festival in support of Israel. The move was aimed at opposing Palestine’s UN membership. The French parliamentarians stood up singing Israel’s national anthem.
The influence of the Zionist lobby in France reaches its peak during the election campaign in the country where each candidate competes with the others to ingratiate itself with Israel.
Among the French parties, the Socialist party has the closest ties with Israel and it adjusts most of its work plans, particularly vis-à-vis foreign policy, with the officials in Tel Aviv. The recent stance of Socialist French Foreign Minister Laurent Fabius regarding the nuclear talks with Iran was aligned with his illogical compliance with Tel Aviv’s policies towards Tehran.
Israel-France intelligence and security cooperation
Apart from the poisoning of Yaser Arafat, the former president of the Palestinian National Authority, and his hospitalization at a military hospital in Paris — which was a sort of French-Israeli intelligence and security coordination – the history of Paris-Tel Aviv ties is fraught with such cooperation.
From the outset of the fake Israeli regime, the French government authorized its intelligence apparatus to cooperate with the Mossad elements in assassinations of Arab and Palestinian fighters.
In 1965, under the presidency of Charles De Gaulle, Mossad abducted Mehdi Ben Barka, an opponent to King Hassan II, in cooperation with the French intelligence service. In 1972, Mossad killed Palestine Liberation Organization’s Representative to Paris, Mahmoud Al-Hamshri in cooperation with French intelligence elements.
Moreover, in the judiciary section, the French government has always acted in accordance with the interests of the Zionist lobby, the trial of Roger Garaudy, the writer of The Founding Myths of Israeli Politics, being an example.
Most of the world media are under the Zionist lobby’s sway and, using this powerful tool, they have managed to control world public opinion. That’s why when a media outlet moves in the path of actually informing the public, they spare no effort to prevent its activities.
The Zionist lobby in France puts pressure on the companies which provide services to the anti-Zionist satellite networks. The pressures by the Zionist lobby on the French Satellite service provider Eutelsat to stop the broadcasting of al-Manar, al-Alam, Press TV, Sahar and other networks is another example of such media sway.
Generally speaking, the Zionist lobby in France is enormously powerful in different spheres, despite its unpopularity among the French public. It has tried hard to portray Israelis as oppressed people. However, given the growth in public awareness, the information revolution and expansion of information dissemination tools, Zionism can no longer dominate public opinion.
The domineering and greedy nature of the Zionist regime and the futility of its claims about its opponents are being unmasked on a daily basis. This will lead to mounting pressure of public opinion’s pressure on the politicians. Nonetheless, for the time being, the majority of French politicians need the money and economic leverage of the Zionist lobby for the achievement of their objectives and the French media have to keep silent in order to survive and avoid the anti-Semitism tag.
In other words, at present France is under the domination of Zionists and their supporters, but the French public is gradually becoming aware of the fact.
~
Tahmineh Bakhtiari is an Iranian journalist and an expert on the Middle East and Latin America. Her writings have appeared in many print and online journals and newspapers including The Khorassan Daily, Jam-e Jam, Jomhuri Islami and Aftrab-e Yazd. Her book ‘The Genealogy of Zionism’ was published in 2001. Bakhtiari has a master’s degree in international relations.
November 12, 2013
Posted by aletho |
Corruption, Deception, Ethnic Cleansing, Racism, Zionism, Full Spectrum Dominance, Mainstream Media, Warmongering, Timeless or most popular | France, Israel, Mehdi Ben Barka, Mossad, Zionism |
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One of the key responses from the NSA and its defenders to all of these Snowden leaks is that there is “rigorous oversight” of the NSA by the courts and Congress. Of course, that talking point has been debunked thoroughly, but NSA defenders keep trotting it out. It appears that the public is not buying it. At all. A recent poll from YouGov found that only 17% of people believe that Congress provides “adequate oversight” on the spying of Americans. A marginally better 20% (though, within the 4.6% margin of error, so meaningless difference really) felt that Congress provides adequate oversight of the NSA when it comes to collecting data on foreigners. Basically, that part of the NSA story just isn’t particularly believable in light of everything that’s come out. Oh, and people are paying attention to the news. A full 87% had heard something about the spying on foreign countries — with only 14% thinking that such a program has helped US interests abroad.
Oh, and it gets worse. According to a different study, the more informed people are about the NSA, the less they like what the NSA is doing. The NSA has been insisting if people could only understand more about its actions they’d be much more comfortable with the agency’s actions, but this study suggests that’s not quite true either.
Neither of these findings should come as a shock to most people outside of the NSA, but for our friends over at the NSA reading this, it would appear that your talking points aren’t working. Perhaps, next time, try (1) telling the truth and (2) not trampling all over the Constitution.
November 12, 2013
Posted by aletho |
Civil Liberties, Corruption, Deception, Full Spectrum Dominance | Congress, Espionage, National Security Agency, NSA, United States, United States Congress |
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Over the weekend, the New York Times’ public editor, Margaret Sullivan, published a piece investigating the Times’ thirteen month delay in the publication of a bombshell report on the Bush Administration’s domestic mass surveillance program back in 2004 and 2005. Sullivan’s revisitation of the issue in light of what we’ve learned since this summer about the NSA was a great public service.
We now know that the government lied to the New York Times about the legality of its spying to delay the publication of the story that would eventually win the Pulitzer Prize, hiding a tremendous fight inside the government about the legality of the spying. The report also contains an important new admission from former NSA chief—and its current public booster—General Michael Hayden, that “he can’t prove any harm to national security from the publication of the eavesdropping stories — then or now.” We hope Mr. Hayden will now revise the many hyperbolic statements he has made to the contrary.
Yet as the folks who, along with the ACLU, have been leading the lawsuits against NSA spying since early 2006, we need to point out a big problem with the New York Times’ characterization of the current mass spying.
The piece quotes Eric Lichtblau as saying that, as a result of the revelations, Congress made “all this stuff” legal, then adds: “There may be public outrage over the latest wave of surveillance revelations, but the government has a helpful defense: Hey, it’s legal.”
Not so. The government’s claims of “legality” are wrong, have been strongly criticized by national security law professors, and are currently being challenged in court by EFF, ACLU, and EPIC, among others. The Times dis-serves its audience by repeating them as if they were true.
In fact, the ACLU has a hearing in New York on Friday, November 22, in its key challenge to one of those “legal” claims: that the NSA’s indiscriminately collecting telephone records is “legal” under a convoluted interpretation of the section 215 of the 2001 Patriot Act that mentions neither telephone records nor the NSA. To try to make it fit, the government attempts to redefine the limits on production of “relevant” things to allow the collection of massive amounts of “irrelevant” information. In other words, by a plain reading of the statute, what the NSA is currently doing in collecting massive amounts of telephone records on an ongoing basis is not legal.
And that’s not even addressing the Fourth Amendment problems with mass, suspicionless seizure of records of our calls with doctors, business associates, churches, friends and lovers, records that can create an extremely intimate portrait of our lives and political activities. The government’s claim that the Fourth Amendment is not triggered by the ongoing collection of this sensitive information in an untargeted mass is far from settled.
The Fourth Amendment isn’t even the only amendment the NSA is violating. EFF focused on the First Amendment in our motion for partial summary judgment against the mass telephone records collection program we filed in California last Wednesday. The motion features declarations from 22 associations, from the California Gun Owners to Patient Privacy Rights to People for the American Way to the First Unitarian Church of Los Angeles, attesting to the First Amendment chilling effect from the collection of telephone records.
Also not “legal” is the mass collection of communications, including content, that the government claims is justified by section 702 of the FISA Amendments Act. That’s the law Lichtblau references, passed in 2008 after the Times revelations. Section 702 also doesn’t say that mass, untargeted surveillance of Americans is allowed. To the contrary, 702 expressly forbids the government from intentionally acquiring any communications that are purely domestic. The NSA’s “upstream” access, tapping into the domestic fiber optic cables of AT&T and other carriers that carry the content of our emails, web searches, social networking posts and many of our phone calls, plainly violates section 702 and also violates the Constitution. EFF will be presenting these arguments before an open, adversarial public federal court starting in the spring.
These points were made well by former EFF attorney Jennifer Granick of Stanford and Professor Christopher Sprigman of the University of Virgnia in a piece in the Times in June, so it’s surprising that the Times simply repeated the government’s conclusions without question.
In short, nowhere in federal law, before or after the Times story in 2005, has Congress ever openly authorized the mass spying on Americans that is taking place. EFF is still fighting to force the release of the key FISA Court rulings, so we don’t know the specifics, but the fact that the government has convinced the secret, non-adversarial Foreign Intelligence Surveillance Court to sign off, apparently based on contorted statutory interpretation, doesn’t change that. These questions need to be presented in the public courts where rule of law and due process rules are clear.
The piece admits that the Times was taken in by claims of “legality” in 2004. It shouldn’t get fooled again by government claims of “legality” of mass surveillance.
November 12, 2013
Posted by aletho |
Civil Liberties, Corruption, Deception, Full Spectrum Dominance, Mainstream Media, Warmongering, Timeless or most popular | Electronic Frontier Foundation, Human rights, Michael Hayden, National Security Agency, New York Times, NSA, United States, United States Foreign Intelligence Surveillance Court |
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As more information comes to light about the global snooping being conducted by the NSA and GCHQ, it is becoming clearer that much of it had little to do with combating terrorism, as a recent EFF article makes plain. But most damaging to the idea that massive surveillance was justified, because it was to protect people from extreme threats, is the revelation that commercial espionage was also being conducted. So far, the chief example of that is in Brazil, but The Sydney Morning Herald (SMH) now has information about large-scale industrial spying on Japanese companies carried out by Australian secret services:
BHP [BHP Billton — the world’s largest mining company] was among the companies helped by Australian spy agencies as they negotiated trade deals with Japan, a former Australian Secret Intelligence Service officer says.
A former diplomat has also confirmed Australian intelligence agencies have long targeted Japanese companies. Writing in The Japan Times, Professor Gregory Clark said Australian companies were beneficiaries of intelligence operations.
“In Australia, favoured firms getting spy material on Japanese contract policies and other business negotiations used to joke how [it had] ‘fallen off the back of a truck’,” Professor Clark wrote.
The article has more details, but doesn’t reveal how the materials were obtained. However, since Australia is part of the “Five Eyes” inner circle of snooping countries that also includes the US, UK, Canada and New Zealand, it seems likely that information of interest from those partners also found its way to Australian companies. SMH quotes Clark as saying:
Business information is a main target for [intelligence] agencies
It will be interesting to see if later releases from Snowden’s hoard of documents show any evidence of this Australian use of NSA materials for industrial espionage.Follow me @glynmoody on Twitter or identi.ca, and +glynmoody on Google+
November 12, 2013
Posted by aletho |
Corruption, Deception, Economics, Full Spectrum Dominance | Australia, Australian Intelligence Community, Australian Secret Intelligence Service, Espionage, Japan, National Security Agency |
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The list of US spying targets now includes the Organization of the Petroleum Exporting Countries, a new report reveals.
The US National Security Agency and the UK’s Government Communications Headquarters infiltrated OPEC’s computer systems to access an internal study in the organization’s research division, the German newspaper Der Spiegel reported, citing documents provided by American whistleblower Edward J. Snowden.
A list of individuals targeted for surveillance included “Saudi Arabia’s OPEC governor”.
The Foreign Intelligence Surveillance Court approved the targeting.
Der Spiegel said the information on OPEC had been available to the NSA for years, but in 2008 the agency infiltrated the organization, and has since been able to access Relevant Products/Services information specifically regarding oil exporting countries and the price of oil.
The infiltration however, was not easy for the NSA. A document from GCHQ, released in 2010, announced that after a long period of meticulous work, the two spying agencies had finally infiltrated the systems.
There is no national security justification for the spying effort. But the US needs the information to maintain its economic dominance in the world, some experts say.
OPEC has twelve members and is dedicated to coordinating the policies of the oil-exporting countries.
The American public, some IT corporations, and foreign leaders are all targets of the US super spying agency over the past years, according to documents released by Snowden, who is now in Russia where he was granted temporary asylum. Snowden is wanted in America for espionage charges.
November 12, 2013
Posted by aletho |
Corruption, Deception, Economics, Full Spectrum Dominance, Timeless or most popular | Government Communications Headquarters, National Security Agency, NSA, OPEC, Saudi Arabia, United States, United States Foreign Intelligence Surveillance Court |
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Even as there have been indications around the globe that perhaps we’ve had enough copyright term extension and it’s time to move back in the other direction, over in the UK, they just put in place a big new copyright extension which increases the term from 50 years to 70 years for sound recordings and performers’ rights. We had discussed the EU decision two years ago to seize the public domain by retroactively pulling works out of the public domain, and now it’s officially gone into effect.
While we’ve pointed out for years that when people claim that infringing works are “stolen,” they’re using the wrong word, since nothing is missing, that is not the case here. Here, things are absolutely missing. The entire purpose of copyright law is to provide the incentives to have the work created in the first place. As such, it’s a deal, where the public grants the creators an exclusive right for a number of years, in return for getting the work (in a limited fashion) for a period of time and then having that work become public domain at the end. Retroactive copyright extension is a unilateral change in that deal — directly taking the work away from the public domain without any recompense to the public the work has been stolen from. This makes absolutely no sense. Clearly, since the work was created, the incentive was good enough at the time of creation. Adding on more years that the public doesn’t get it at the end does nothing to incentivize the work that was already created fifty years ago.
There is simply no reason to have done this, and to have taken these works out of the public domain. Scholars have pointed out that there is no legitimate reason to do this, no evidence that it does anything useful at all. Instead, there’s plenty of evidence that the cost to the public is tremendous — somewhere around a billion euros. The cost to culture in general is even worse, because the longer copyright terms are, the more works disappear entirely, and the more it harms the dissemination of knowledge. It’s basically a disaster all the way around — except for some old record labels that still have the copyrights.
November 11, 2013
Posted by aletho |
Corruption, Economics, Full Spectrum Dominance, Timeless or most popular | Copyright, European Union, Exclusive right, Mike Masnick, Public domain |
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Iran was once a great power, and though invaded by Greeks, Arabs, Turks, and Mongols and exploited by imperialist powers in the modern era, it has continued to assert its national identity and its people have developed a special sensitivity to interference with its sovereign rights. This concern on the part of Iran does not represent some overwrought sensitivity but is actually a realistic assessment of its history over the past century, as this article will delineate. While professing idealistic principles in international relations, European powers ignored these principles in their violations of Iran’s sovereign rights, which in at least one case led to human suffering on par with the most tragic events of the twentieth century.
(In the outside world Iran was known as “Persia” until 1935, although people within the country used the term “Iran.” This article will use the term “Iran” except when using actual names or quoting from other sources.)
During the nineteenth century, Russia and Britain competed for power and influence in Central Asia, in what was known as the Great Game. Needless to say, it was neither great nor a game for those countries, such as Iran, which were treated like pawns on a chessboard by the two great powers. By the turn of the twentieth century, Russia had come to dominate the northern part of Iran while Britain dominated the south. The two powers formalized this division in the Anglo-Russian Convention of 1907, which segmented Iran into three parts—a Russian zone in the north, in which Russia was to have exclusive political and economic control; a British zone in the southeast, in which Britain had the sole right to exercise political and economic control; and a neutral “buffer” zone in the rest of the country, in which both the British and the Russians shared power.
This agreement was intended to put an end to open conflict between the two powers and establish stability in the country. With the dramatic rise in power of Germany in Europe, which was also starting to penetrate Central Asia, Britain and Russia realized that it was necessary if not to completely put away their rivalry, then at least to lessen tensions. This development, however, did not bode well for Iranian sovereignty since the formal division made it appear that the imperial control would be lasting.
This foreign domination essentially meant that the resources of Iran were under the control of the two imperial powers and that the purpose of whatever economic development took place was primarily for the benefit of those powers and not the Iranian state or people. The central government in Tehran did not even have the power to select its own ministers without the approval of the British and Russian consulates.
While Iran had traditionally been an absolute monarchy, revolutionary agitation in 1905 forced the Shah to allow for a relatively free press and accept a constitution reducing his power. The elected parliament, the Majlis, would formally have considerable power, although in actuality government decisions had to be amenable to the two dominant powers who essentially controlled what took place within their respective zones and heavily influenced developments elsewhere in the country.
Both Britain, with some qualifications, and Russia looked negatively on this new liberal political body, preferring to deal with a small number of people who could more easily be coerced or bribed to advance their imperialist goals, which very likely went against public opinion in Iran that shaped the new parliamentary body. Although the imperial powers could, if they exerted themselves, overcome opposition from the Majlis, it did make things more troublesome.
In 1911, Iran’s nascent constitutional government appointed an American, E. Morgan Shuster, anoted lawyer, civil servant, and financial expert, to help organize the country’s finances, which were in a perilous situation at that time due largely to heavy indebtedness to Russia and Britain. While his proposed reforms were embraced by the Iranians, they were vehemently opposed by the two European powers who feared that these might serve to reduce Iranian dependence on them.
Almost immediately upon arriving in Iran, Shuster became involved in a dispute with Russia over customs policy, in which he requested, and was given, plenary powers by the parliament. At Russia’s behest, backed up by its moving troops to Tehran (which was within the Russian zone), he was ultimately forced to leave Iran in January 1912. Upon his return to the United States, he wrote a heated indictment of Russian and British exploitation of Iran, titled “The Strangling of Persia,” which he dedicated to “The Persian People.” In a much-quoted passage, Shuster summed up the malicious impact of the two Great Powers thus: “[I]t was obvious that the people of Persia deserve much better than what they are getting, that they wanted us to succeed, but it was the British and the Russians who were determined not to let us succeed.”
As bad as it was for Iran at the beginning of the twentieth century, things would become infinitely worse during World War I. Hoping to avoid entanglement in the war, Iran declared its neutrality on November 1, 1914. (The British and Russians had entered the war against Germany and Austria two months earlier.) Nevertheless, the country became a battleground between Russia and Britain (who were allies), and Turkey (a German ally) and its local Muslim supporters. And when the Turks were not in the country, the two European powers were involved in fighting against tribes and groups of nationalists who were stirred into action by the war and the occupiers’ wartime depredations.
According to historian Mohammed Gholi Majd: “World War One was unquestionably the greatest calamity in the history of Persia, far surpassing anything that happened before. It was in WWI that Persia suffered its worst tragedy in its entire history, losing some 40% of its population to famine and disease, a calamity that was entirely due to the occupation of Persia by the Russian and British armies, and about which little is known. Persia was the greatest victim of WWI: no country had suffered so much in absolute and relative terms. As I have shown in another study there are indications that 10 million Persians were lost to starvation and disease. Persia was the victim of one of the largest genocide [sic] of the twentieth century. (Majd, “Persia in World War I and Its Conquest by Great Britain,” 2003, pp. 3-4)
What caused a famine of such horrific proportions? The Russians and, even more so, the British used Iran as a base for their war effort; and Majd finds the British to be principally responsible for the famine. Local transportation, land and river, was taken over by the British for the movement of war materials, which meant that farmers had a difficult time marketing their produce inside Iran. At the same time, significant amounts of food were purchased or confiscated by the British to supply British troops, both within Iran and in the Middle East region as a whole. Moreover, Britain prohibited Iran from importing food from its neighbors—India and Mesopotamia (Iraq), where grain was plentiful–and from the United States. The British used various reasons, including the alleged sabotage of an oil pipeline, to justify the withholding of most oil revenue to the Iranian government (Iran had recently become a major oil producer) during the war years, which reduced the ability of Iran to purchase food. (Majd, “The Great Famine & Genocide in Iran: 1917-1919,” Second Edition, Chapters 5-7.)
It seems unlikely, however, that the British intentionally sought to commit genocide against the Iranian population, as Majd sometimes implies, but rather that the British were solely concerned about their own war effort, pursuing it at the expense of the Iranian people, who died off in the process. But there is no need to debate British intent, or their degree of culpability, to illustrate the point that Iran endured appalling suffering from the actions of other countries during World War I. The same could be said if the death figures Majd provides are excessive and did not actually exceed Holocaust-like levels, though Majd’s analysis of population statistics, which indicate a huge decline in population between 1910 and 1920, seems to substantiate his numbers. (Majd, “Great Famine & Genocide in Iran: 1917-1919,” pp. 77-87)
Furthermore, Majd does show that other observers noted that Iranian civilians perished as a result of the war in massive numbers, if not necessarily in the astronomically high numbers that Majd arrives at. A report submitted by the Iranian delegation to the General Assembly of the League of Nations, dated December 6, 1920, states: “At the beginning of the war of 1914-1918, the Persian government, anxious to continue its historic traditions, solemnly declared its neutrality . . . . Despite her neutrality, Persia has been a battlefield during the world cataclysm. Her richest provinces in the north and north-east have been ravaged, divided and disorganized by the Turco-Russian forces. Many are the ruins which cover Persian territory from Makou (a town lying in the extreme north of Persian province Azerbaijan), to the very south. Towns and villages have been pillaged and burned, and hundreds of thousands of men were compelled to say a lasting farewell to their beloved homes and to find death from hunger and cold far from their native provinces. At Teheran, a city of about 500,000 inhabitants, 90,000 persons died of famine for want of bread; since the big lines of communication were cut by the invaders. All the governments which followed each other during the war were faced with insurmountable difficulties which arose from the violation of Persian neutrality. The food providing provinces of Persia –such as Mazenderan, Gilan, Azerbaijan, Hamadan and Kirmanshahan— which were rich in corn, rice and other cereals, were unable to produce anything, owing to the lack of labour and the want of security: famine, that pitiless scourge, ruled over the greater part of the country and spread ruin and death among its people . . . . It is with deep emotion that we mention the high figure of our loss in man-power—a cruel loss of 300,000 men, massacred by the sword of the invader.” (Majd, “Great Famine & Genocide in Iran: 1917-1919,” p. 8)
In his 1934 biography of the British Foreign Secretary, Lord Curzon, Harold Nicolson, who had served as a British diplomat in Iran during the 1920s, wrote:“Persia, during the war, had been exposed to violations and sufferings not endured by any other neutral country.” (Majd, “Great Famine & Genocide in Iran,” p. 8, quoted from Nicolson, “George Curzon: The Last Phase,” 1934, p. 129)
In a memorandum of August 13, 1941, the Chief of the Division of Near Eastern Affairs at the U.S. Department of State, Wallace Smith Murray, wrote: “During the late World War, despite Iran’s declared neutrality, she was invaded by both the Great Powers, which resulted in untold misery to the Persian people. It is estimated that during the famine of 1917-1918, caused by the chaotic conditions of the country, approximately one third of the population perished.” (Majd, “Great Famine & Genocide in Iran,”p. 8). In a note to Secretary of State Cordell Hull, dated August 21, 1941, which includes Iran’s reply to the Anglo-Russian ultimatum of August 16, 1941, the Iranian minister to Washington, Mohammad Schayesteh, wrote: “The Iranians remember with sorrow the great misfortunes of the last war, the unbelievable number of the population which died as a result of famine and epidemics caused by foreign interference in Iran.” (Majd, “Great Famine & Genocide in Iran,”pp. 8-9)
That virtually no one in the United States, and much of the overall West, would know about the famine in Iran is quite understandable. Britain controlled the news about the war and most of the American elite that shaped the news tended to be Anglophile. Once America entered the war, Britain was an ally. And World War I was considered a great moral crusade. It was the war to make the world safe for democracy; it was the war to save civilization. It was, in short, a Manichean war of good versus evil. Atrocities —real, exaggerated, or imagined– could only be attributed to members of the Central Powers. Thus, Germans supposedly engaged in the raping of nuns, the crucifixion of priests and the bayoneting of babies in their invasion and occupation of Belgium. And much was made of the Turks engaging in mass murder against the Armenians—an atrocity that has, in recent decades, been de-emphasized and debated in the United States as Turkey has become an American ally.
As the partisanship of World War I died down, no one in the United States really knew or cared much about the strange, faraway country of Iran. And Britain remained a close ally of America’s in the fight against the Axis and during the Cold War. Today as the American government and an American media (both heavily influenced by the Israel lobby) have presented U.S. war policy in the Middle East in a good versus evil dichotomy, the depiction of Iran as the victim at any time in its history would not mesh with current policy needs.
With the revolution in Russia in March 1917, the provisional government of Alexander Kerensky would forswear all concessions made to Tsarist Russia in Iran. The armistice agreement between Bolshevik Russia and the Central Powers was concluded on December 15, 1917, which included the provision that Russia would evacuate its forces from Iran, which did take place. (Martin Sicker, “The Bear and the Lion: Soviet Imperialism and Iran,”1988, p. 29.) With the fall of the Central Powers in November1918, however, Bolshevik Russia would state that the terms of the Brest-Litovsk Treaty, which ended Russia’s war with those countries, were null and void, though continuing to profess that it did not have designs on Iran. Some of its actions, however, as we shall see, would soon belie this pledge of non-interference.
With Soviet Russia’s official departure, Britain was now by default the overwhelmingly dominant foreign influence in Iran. By virtue of this monopoly power and bribery, Britain was able to get the Iranian government to sign the Anglo-Iranian Agreement of 1919, which essentially would make Iran a protectorate of Britain. In return for a loan of two million pounds for the development of Iran’s railroad system (and also financial inducements to leading government officials), the treaty would give Britain a monopoly over the supply of arms, military training, infrastructure construction, and advisers for Iran. It also would have the sole right to develop a committee to revise the Iranian tariff–which would, of course, be to Britain’s advantage. Influenced by popular outcries by all segments of the Iranian population, the Majlis refused to ratify the treaty. Nonetheless, the British acted as if the treaty were in effect, as they shaped the Iranian army and developed a tariff law that favored British imports.
It should be pointed out that, during this period of British dominance, Soviet Russia, though pulling out its troops and officially renouncing the imperialist concessions held by the Tsarist government, did not lack interest in Iran. The new Bolshevik government, with its professed belief of world revolution, sought to spread radical revolution to Asia, including Iran, which was illustrated by the First Congress of the Peoples of the East, which was held in Baku, capital of Azerbaijan Soviet Socialist Republic, in September 1920.
After the collapse of Tsarist Russia, an Azerbaijan Democratic Republic came into being on May 28, 1918 in what had been part of the Russian Empire. It would be invaded by Soviet Russia on April 25, 1920 and in three days would be under the complete control of Moscow, though Soviet Russia retained the fiction that although Azerbaijan had become a Soviet state, it had remained independent.
The Baku Congress brought together Communists and radical nationalist forces in Asia and discussed a united effort between the two groups in support of national revolutions against foreign imperialism, though the Communists saw this as a necessary stage for the ultimate sovietization of these lands. Iran, in large part because of its proximity to the Indian subcontinent, was seen by a number of Russian Bolshevik thinkers as the key to the spread of radical revolution in Asia. For example, Konstantin Troyanovsky, in his book “Vostok i Revolutsiya” (“The East and the Revolution”), published in 1918, wrote: “The Persian revolution may become the key to the revolution of the whole Orient, just as Egypt and the Suez Canal are the key to English domination in the Orient . . . . The political conquest of Persia . . . is what we must accomplish first of all. This precious key to all other revolutions in the Orient must be in our hands, come what may.” (Quoted in Shireen Hunter, “Islam in Russia: The Politics of Identity and Security,” 2004, 316-17)
Soviet policy toward Iran thus would essentially run on two tracks. One track, reflecting the Communist’s official repudiation of traditional Western imperialism, consisted of establishing good official state-to-state relations between the Soviet government and the Iranian government, in which the latter was formally treated as an equal, sovereign nation. The other track involved support for the revolutionary nationalist movements in northern Iran closest to Soviet Russia, the most important of which was the Persian Socialist Soviet Republic (widely known as the Soviet Republic of Gilan) in the Iranian province of Gilan, which lasted from June 1920 until September 1921.
The densely forested mountainous region of Gilan and Mazanderan provinces along the shores of the Caspian Sea had been beyond the control of the Iranian government for some time. It was here that the Jangal (Jungle or Forest) movement arose, which was anti-Western, pan-Islamic, socially radical and fought against both the foreign occupiers and the Iranian government in Tehran. It was led by a charismatic land owner and Muslim cleric, Mirza Kouchek Khan.
The Soviet conquest of what had been the Russian portion of Azerbaijan would serve as a springboard for moving into northern Iran. The Soviet army, which had departed Iran in 1919, would reappear there in 1920 at about the same time as preparations were being made for the Baku conference. The reason given for this military action was to apprehend the remnants of the counterrevolutionary White army of Admiral Deniken, which had fled Russia after being defeated in the Russian Civil War and found sanctuary under British protection in the Gilan port city of Enceli on the Caspian Sea, which was not yet under the control of the Jingali secessionists. Claiming that the White army remained a threat to Soviet Russia, the Soviet army attacked. Facing a much superior force, the British retreated and the Whites once again fled. The Soviet army then would move through Gilan province and link up with Kouchek Khan’s Jingali.
Soviet Russia provided arms and soldiers to help Kouchek Khan in his revolutionary endeavor. By the end of 1920, his military force was so successful that it was preparing to march on Tehran. (Ervand Abrahamian, “Iran between Two Revolutions,” 1982, p. 116)
Faced with this threat from the military forces of the Soviet Republic of Gilan, with its large Soviet Russian contingent, along with discontent and rebelliousness in other parts of the country, a crisis feeling developed in Tehran among Iranian supporters of the national government and the British. Concerned about the weakness of the existing Iranian government and its seeming inability to suppress Soviet-backed revolutionaries, the British supported a coup d’état by a military officer named Reza Khan who entered Tehran on February 21, 1921 with a force of 3000 soldiers and seized control of the government, assuring the Shah that he took this action to protect the monarchy from revolution.
Meanwhile, in the Soviet Republic of Gilan, strong differences arose between the non-Communist Jangali and the Iranian Communist Party, causing Mirza Kouchek Khan to quit the government and withdraw with his group back into the forest. The Communists now were in charge and, influenced by ideologues from Soviet Russia, tried to establish a full-scale dictatorship of the proletariat that soon alienated much of the local population.
However, at this time higher level officials in Moscow, including Lenin, saw this open support for revolutionary action in northern Iran as premature and counterproductive to the long-term success of world revolution. They were especially interested in improving state-to-state relations with non-communist states in order to strengthen Soviet Russia; for example, the Soviets were negotiating a loan from Britain, which could be undermined by such overt revolutionary action. (Sicker, p.43)
This new position of the Soviet Union and that of the new government of Iran under Reza Shah harmonized and they made a treaty of friendship, as the latter nullified the highly unpopular 1919 treaty with Britain (which had never been ratified by the Majlis). In the Soviet-Iranian Treaty of 1921, the Soviet Union pledged to withdraw its military forces from Gilan and officially cancelled the Iranian debt and concessions to the Tsarist regime. As quid pro quo, Iran guaranteed that its territory would not be used for attacks on the Soviet state.
From the Iranian perspective, there was one discordant note in this otherwise favorable treaty, for it granted Soviet Russia the right to intervene in Iran if it considered events there to be threatening to its own national security. Obviously, this could be used by Soviet Russia not only to defend itself from counterrevolutionary threats but for offensive reasons as well. The possibility that the Soviets might use this provision to justify an attack on Iran was disturbing to members of the Iranian government and they demanded an explanation from the Soviet government, but they were willing to accept an unwritten, oral response that the Soviet Union would not intervene unless there were some overt military threat to its security. (Sicker, p. 44-45)
Lacking the critical support from the Red Army, the Soviet Republic of Gilan fell to the military forces of the Iranian government. And after the fall of the Gilan, the Communist Party of Iran would follow the Soviet party line and support the strengthening of the central government in Tehran, which was now perceived as being beneficial to the Soviet Russia. (Abrahamian, “Iran between Two Revolutions,” p.128). In 1923, for example, while Reza was Prime Minister, the Comintern had praised him for “his progressive and anti-imperialist orientation.” (Quoted in Sicker, p. 47) Though an anti-Communist, Reza, as a nationalist, temporarily served Soviet interests because he sought to reduce British influence in southern Iran and the Persian Gulf—and the Soviet Union then regarded Britain as its primary foe. Moreover, heavy trade existed between the Soviet Union and Iran, with the Soviets being Iran’s major trading partner until 1939. But while the Soviet Union put aside its interest in Iranian territory for the present, it had not been abandoned and would resurface during World War II.
In voiding the (never ratified) Anglo-Iranian Agreement of 1919, the Iranian government placated the British by requesting that British advisers remain behind to help reorganize the Iranian army and civilian administration. Moreover, the Anglo-Persian Oil Company (APOC), which was partly owned by the British government and a major provider of oil for the British Navy, still controlled the oil industry in southern Iran. This was about as much influence as Britain could expect to exercise since being deeply in debt from World War I, the British government, pursuing a policy of economic austerity, removed its troops from Iran in 1921.
Reza Khan gradually consolidated his power, ultimately proclaiming himself monarch in 1926 under the name Reza Shah Pahlavi. Reza Shah sought to establish a modern, centralized state, with Kemal Atatürk’s Turkey serving as a model. His programs helped to bring about improvements in agriculture, public health, education, transportation and industry and women’s rights while curtailing the power of the Islamic religious leaders. In achieving these ends, however, Reza Shah exercised ruthless, dictatorial powers, turning Iran into a despotic state.
In regard to foreign relations, Reza Shah sought a modern industrial third party state to serve as an economic counterweight to the Soviet Union and Britain, both of whom he regarded as threats to Iranian sovereignty, despite the existence of treaties of amity. His first choice was the United States, but it did not show much interest. After that he looked to Germany, which had shown interest in Iran since the first decade of the twentieth century.
Nazi Germany responded positively. Germany certainly sought profitable commercial relations with any country, especially one open to large scale investment such as Iran. Furthermore, Iran could provide the oil which Germany desperately needed. Moreover, economic connections could be used to enhance German political and military interests. Iran provided a strategic location from which German agents could stir up oppressed Muslim and other Third World nationalities under the control of the Soviet and British empires. Consequently, by the eve of World War II, Germany had become Iran’s largest trading partner. And an influx of German technicians and consultants had entered the country.
On September 4, 1939, three days after the war commenced, Iran officially declared its neutrality. And five days after Nazi Germany’s invasion of the Soviet Union on June 21, 1941, Iran reaffirmed its neutrality in the conflict.
Nonetheless, Soviet and British troops invaded Iran on August 25, 1941, on the grounds that Iran was harboring German agents. Reza Shah appealed to U.S. President Franklin Roosevelt under the idealistic Atlantic Charter, which Roosevelt (and Churchill) piously claimed would be the basis for the future world order, and which included such ideals as the protection of smaller and weaker countries from the powerful. The U.S., however, failed to respond positively to the Shah’s request and, without any outside support, the limited resistance put forth by Iran was overwhelmed by Soviet and British forces in less than a week.
Shortly after the invasion, Reza Shah, being perceived as pro-German, was pressured to abdicate and was replaced by his son Mohammed, only 21 years old, and a constitutional monarchy was reestablished. Political parties were allowed to operate and a multitude of parties arose reflecting various segments of the Iranian population. The removal of Reza Shah “unleashed pent-up social grievances” that could not be expressed during his reign. (Ervand Abrahamian, “Iran between Two Revolutions,”1982, p. 169) However, while elections took place, Iranian government officials were not allowed to interfere with the rule of the occupying powers.
While using the alleged existence of numerous German agents to justify the invasion, Britain and the Soviet Unionhad decided to occupy Iran for multiple reasons. Iran was a major producer of oil, which the Allies wanted to exploit and concomitantly prevent Germany from accessing. Furthermore, in a region seething with anti-colonial passions, Allied control of Iran would serve to protect India, which was an indispensable cog in the British Empire. And most importantly, Iran provided a secure conduit for sending vital war supplies to the beleaguered Soviet Union, which had very few other access routes, and none as viable.
Although Britain and Russia guaranteed Iran’s sovereignty, they took over most significant functions of the country, many of which had heretofore been in private hands. First, they exercised control of all political institutions in their respective zones. And important economic activities —such as banking, oil production, and transportation— fell under their dominion. Furthermore, the occupying powers commandeered food products, fuel, and other essentials, causing famine in the land—though nothing comparable to the human catastrophe that took place duringWorld War I. Once again, Iran was being used as a mere instrument for the interests of foreign countries.
Now it might be assumed that the Allies were fighting for the universal interests of all humanity (the “Good War” concept), and that this took precedence over Iranian sovereignty and its rights as a neutral—that Iran should have willingly acquiesced to this greater good. But it needs to be pointed out that the United States never accepted this concept when it was a weak country and the great powers of that day violated American neutral rights in order to purportedly advance some higher principles. The United States was not even willing to accept a curtailment of its right to trade with belligerents, much less accede to an occupation by foreign countries.
For example, republican France in the 1790s saw itself fighting for the rights of mankind and expected support (though not demanding direct military involvement) from its fellow republic, the United States, in its war of survival against the monarchical powers of Europe; but no such support was forthcoming, even though the two countries had a formal “perpetual” alliance concluded during the American Revolutionary War, in which France had played a major role in bringing about American independence. Instead, the United States, emphasizing its rights as a neutral, continued to trade with monarchical Britain and ultimately fought an undeclared naval war with France —the Quasi-War, 1798-1800— because of French naval efforts to interfere with that wartime trade.
Similarly, during the Napoleonic wars, Britain presented itself as fighting for ordered liberty and the independence of other countries against Napoleon’s tyrannical effort to control Europe, but the United States claimed the right to trade with France, opposing British naval interference, and ultimately going to war with Britain in 1812 — a war that lasted until the end of 1814— thus from the British perspective, aiding Napoleon.
The Tehran Conference (28 November to 1 December 1943), which was the first of the major World War II conferences in which the leaders of the three main Allied powers –Joseph Stalin, Franklin D. Roosevelt, and Winston Churchill— met together, focused on the broad issues of the war and the future peace, but also included a declaration that they all shared a “desire for the maintenance of the independence, sovereignty, and territorial integrity of Iran.”
Stalin, however, had somewhat different plans for Iran. As the German threat to the Soviet Union receded, the Soviets virtually sealed off the northernprovinces from officials from Britain, the United States, and even Iran. After 1942 no member of the foreign media was allowed to enter the Soviet zone to report on conditions there. Moreover,the Soviet Union gave open support to the Communist Party of Iran, which used the press to promote pro-Soviet propaganda, a considerable proportion of which attacked the Iranian government in Tehran. It would justify its control of Iranian territory by citing the 1921 treaty with Iran that gave it the right to intervene in Iran in order to protect its own security. (Sicker,pp. 61-80)
When the war ended, the U.S. and Britain would withdraw their troops from Iran, but Soviet forces would remain. Moreover, the Soviet Union was organizing separatist movements in its northern zone that could be used to declare independence and join the Azerbaijan SSR.
“Decree of the CC CPSU Politburo to Mir Bagirov CC Secretary of the Communist Party of Azerbaijan, ‘Measures to Organize a Separatist Movement in Southern Azerbaijan and Other Provinces of Northern Iran’” July 06, 1945, History and Public Policy Program Digital Archive,
“Secret Soviet Instructions on Measures to Carry out Special Assignments throughout Southern Azerbaijan and the Northern Provinces of Iran in an attempt to set the basis for a separatist movement in Northern Iran.,” July 14, 1945, History and Public Policy Program Digital Archive,
Thus, the Soviets installed the Communist Cafer Pisaveri as the head of the secessionist Autonomous Republic of Azerbaijan, which declared its independence on December 12, 1945. Pisaveri had played a role in the Republic of Gilan of the post-World War I years and later found refuge in the Soviet Union during part of the interwar period. (Sicker, pp. 70-71) Pisaveri was Communist and, despite anAzeri nationalist inclination, saw therevolutionary government in Azerbaijan as the first step toward Communist revolution throughout the rest of Iran. (M. Reza Ghods, “Iran in the Twentieth Century,” 1989, p. 172)
Also supported by the Soviet Union, a Kurdish independence movement emerged in the region around the town of Mahabadin northwestern Iran, and in December 1945, a Kurdish Peoples Republic was established there under Soviet auspices. (p.71, Sicker) The Kurdish Peoples Republic’s emphasis was on Kurdish nationalism rather than on Communism with the establishment of Kurdish as the national language. Although there was redistribution of unoccupied land, the republic lacked the social radicalism that would loom large in the Autonomous Republic of Azerbaijan.
Although these secessionist regimes had substantial support from their inhabitants, at least in their early stages, archival evidence shows that the Soviet Union was directly behind the development of these governments and was necessary for their perpetuation.
“New Evidence on the Iran Crisis 1945-46,”
It should be observedthat the Soviet Union was following its usual modus operandi toward the two secessionist states. In most of central and eastern Europe occupied by the Red Army after World WarII, Communist regimes and societies were not established immediately but came into being by a gradual process, so that this would not indicate the lack of Soviet control of the two secessionist states nor the Soviet Union’s ultimate goal of sovietization.
The United States and Britain started to become deeply disturbed by the Soviet actions in northern Iran and supported efforts on the part of the Iranian government to reestablish its control in those break-away areas. However, when Iranian military forces tried to move into Azerbaijan and Kurdistan, they were blocked by Soviet forces.
On January 19, 1946, Iran lodged a complaint to the newly-established United Nations Security Council that the Soviet Union was aiding the Azeri and Kurdish secessionists and thus was illegally interfering in Iran’s internal affairs. The Soviet Union responded that it was simply acting in accord with the Soviet-Iranian Treaty of 1921, which gave it the right to intervene if there were threats coming from Iran, and thus it was legal for its military to remain there to protect Azerbaijan’s petroleum, which, it claimed, was endangered.
After lengthy negotiations, the Iranian government and the Soviet Union made a sweeping agreement in which the Soviets would receive a 51% share of the petroleum in northern Iran in exchange for the withdrawal of its troops from Iran. The agreement also stated that the Soviets would establish joint petroleum companies with Iran and accept the secessionist uprisings as strictly Iranian domestic matters in which it would not interfere. The oil agreement, however, would not be put into effect until after its approval by the Iranian Majlis.
Believing that it had received what it wanted, the Soviet Union started to withdraw its troops from Iran on May 9, 1946. Without Soviet military support, the secessionist regimes, against which large-scale popular rebellions had broken out, surrendered to the Iranian government in December 1946. (M. Reza Ghods, “Iran in the Twentieth Century,” 1989, p. 175)
During this time period, elections took place in Iran and the newly-elected Majlis wasn’t able to come together effectively until 1947 to vote on the oil agreement with the Soviet Union. The U.S. government, fearful of Soviet control of Iranian petroleum, informed Iran that if it would reject the petroleum agreement, and the Soviet Union then pressured and made threats against it, America would come to its defense. With this pledge of protection, the Majlis refused to ratify the Soviet oil agreement on October 22, 1947 by the overwhelming vote of 102 to 2.
The Soviet Union essentially accepted this decision, although not without strong threats and some minor hostile acts toward Iran. The reason for Stalin not doing more is beyond the purview of this essay. But it can be briefly stated that Stalin, at that time, apparently did not want to intensify anti-Soviet feeling in the United States or Iran, because of the negative impact this would have on other objectives deemed more important than the petroleum agreement, and that the ultimate unpopularity of the secessionist governments in northern Iran would have made their restoration much more difficult than their initial creation.
The history of the twentieth century has clearly illustrated that Iran has been forced to relinquish its sovereign rights in order to serve the needs and desires of other, more powerful nations, often couched in the name of some universal good, and that it has suffered severely as a consequence. It is thus understandable why Iran would resist this approach at the present, and expect to have the same rights as those who would try to place restrictions on theirs, with the United States and Israel being the major countries currently taking this anti-Iranian stance. Furthermore, while the past suffering of Jews is continually mentioned in the West and is often used to justify special privileges for Israel —for instance, its right to have a Jewish supremacist state and nuclear weapons— the past suffering of Iran caused by other countries is completely ignored and thus plays no part in international decision-making today. Simple justice would seem to dictate that the United States change its current approach and allow all countries to have the same sovereign rights as guaranteed by international law—no more and no less.
November 10, 2013
Posted by aletho |
Corruption, Militarism, Subjugation - Torture, Timeless or most popular, War Crimes | Britain, Iran, Middle East, Russia, United States, World War I |
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The New Democrats, Same as the Old
By RICHARD KREITNER | October 25, 2013
Last Monday, Hillary Clinton headlined a fundraiser at the Roosevelt Hotel in Manhattan for Bill de Blasio, the man who managed her successful 2000 Senate campaign and last month declared himself “proud to come from the Clinton family.” Topping the list of co-chairs for the event—those who have promised to bundle $25,000 for de Blasio—was one Paul Adler, a Democratic power-broker in Rockland County, and a convicted felon.
Adler has long been a devoted supporter of de Blasio, whom he first met in 1996 when de Blasio ran the president’s re-election operation in New York. When Clinton named de Blasio her campaign manager in 1999, Adler told the Associated Press she would “benefit enormously” from such “a hands-on professional.”
In 2000, Rockland County was one of the most heavily contested swing districts in New York State, and Clinton faced tough opposition in former Rep. Rick Lazio, a social conservative well-liked by leaders in the ultra-Orthodox community. As chairman of the Rockland County Democratic Party, Adler was valuable enough to the Clintons that he was invited to spend a night at the White House, which he reciprocated by hosting Hillary at his home during her listening tours of the state. Serving as a delegate to Democratic National Convention in Los Angeles in August 2000, Adler was profiled by CNN as one of the “the folks who are the heart and soul of American politics.” He proudly told the camera:
My Rolodex is my most prized possession. It is a 25-year work in progress. It is the tool that enables me to do what I need to do: to get somebody at an embassy to get a donor who allows me to get the superintendent of highways. If the building was on fire, I would run in to get that first.
His main task was cultivating Jewish support in the county, especially among the various Hasidic sects, which often deliver votes in blocs on the strong recommendation of rabbinic leadership. Adler was especially close to New Square, a Skverer Hasidic village of about 7,000 people that may have the most political power per capita of any community in the United States. Its leader, Rabbi David Twersky is seen as infallible by his followers: on Shabbat, hundreds or even thousands of worshippers watch the rabbi eat precisely specified portions of food—so much whitefish, so much egg salad—and eagerly await the honor of consuming his leftovers. The village was most recently in the news in 2011 when a young goon allied with Twersky—the nephew of his top political aide, Deputy Mayor Israel Spitzer—set fire to a 43-year old plumber and father-of-four named Aron Rottenberg, who had dared attend services at an outside shul.
In the 2000 Senate election, New Square voted 1400-12 in favor of Clinton, while nearby communities voted just as overwhelmingly for the pro-life Lazio. In December of that year, the senator-elect welcomed Twersky and other New Square leaders to the White House, where they asked the president to review the case of four Skverers who had been convicted two years earlier of embezzling tens of millions of dollars from federal education and housing programs. On his last day of office in January 2001, President Clinton commuted the sentences of the four men. The appearance of a possibly illegal quid pro quo involving New Square’s votes, as well as other suspicious Clinton pardons, prompted the U.S. Attorney for the Southern District of New York, Mary Jo White (now head of the SEC), to launch an investigation the following month.
A March 2001 article in the New York Times about the case noted the government would have to prove that New Square’s votes represented a “thing of value” which could be traded illegally for commutations. Otherwise, however unseemly the appearance of a deal, nothing illegal could be proven to have occurred. That line would only have been crossed, experts said, had a monetary donation been specifically tied to a certain promised outcome, and no New Square leaders had contributed financially to Clinton’s campaign.
By the time the commutations were granted, de Blasio was already running for a spot on the New York City Council. On December 7th, 2000, just a month after Hillary’s election and two weeks before his and Twersky’s White House visit, New Square Deputy Mayor Israel Spitzer—the rebbe’s political liason to outsiders—attended a fundraiser in Manhattan for de Blasio’s council race, donating $2,500, the legal limit at the time. In August 2001, when the Village Voice asked de Blasio whether he had been questioned in White’s pardons investigation, he refused to say yes or no, only adding, “I’m waiting to hear what’s going to happen with that.”
Whether or not de Blasio ever did, the public never has. But given his leadership of Clinton’s campaign (with a specific portfolio, as one former Clinton aide recently told The Times, of soothing “many of the prickly political factions in New York State,” not a reference to cabdrivers), the timely Spitzer donation, and his relationship with Adler, it is almost impossible to conceive of the possibility that de Blasio did not at least know about New Square’s strategy for obtaining presidential pardons by showering Clinton with symbolically significant Jewish support—or, at most, participate in that strategy by helping procure for Twersky and Spitzer a much-desired visit to the White House to plead their case. Spitzer’s and, more recently and more extensively, Adler’s continued patronage of de Blasio’s political career at least gives the impression that the central figures of the New Square pardons episode remain deeply grateful toward Clinton’s former campaign manager, as they are towards this year’s Democratic candidate for Rockland County Executive, David Fried, another former Clinton aide who helped orchestrate the relationship between the village and the campaign at the time and has been endorsed by the ex-president. Either Spitzer and Adler are rewarding Fried and de Blasio for services rendered or they just happen to be supporting, financially and otherwise, the candidates who thirteen years ago were perfectly positioned to have helped them accomplish what was then their most urgent political—and for the New Square leaders, religious—goal.
In response to a series of questions about New Square and Paul Adler, de Blasio campaign spokesman Dan Levitan wrote: “Bill is proud of his time working for the Clinton Administration and on Hillary’s Senate campaign. The facts clearly show he had no involvement in this matter.”
***
In 1997, when four Skverers—three from New Square and one from Brooklyn—were arrested and charged with conspiracy to defraud the federal government, the village refused to participate in the investigation. At one point a mob surrounded federal agents trying to serve subpoenas. Three other men, including a founder of the village and the mayor’s son, fled to Israel, though those two were later caught and convicted. According to the Talmud, “pidyon shvuyim”—releasing Jewish captives held by gentiles—is one of the most important mitzvahs in Jewish law, and by the summer of 2000, the Skverer community was desperate to spring the men from prison.
Meanwhile, Clinton was struggling in her race against Lazio, having a hard time defeating the “carpet-bagger” label in her newly adopted home state, as well as a general Clinton fatigue. Worse, the Jewish community was apoplectic over the news that the First Lady embraced and kissed Yasser Arafat’s wife, Suha, just after she slurred Israel, and a new book was out claiming that as a 26-year-old, Clinton had allegedly yelled “You fucking Jew bastard!” at the manager of her then-boyfriend Bill’s unsuccessful 1974 congressional campaign in Arkansas. It became de Blasio’s job to make sure Jewish leaders like Assemblyman Dov Hikind, a longtime Brooklyn macher, at the very least didn’t publicly endorse Lazio.
But for Rockland County there was Adler, who knew the soft spot in the ordinarily Republican-voting Hasidic front. On August 8th, Adler coordinated the candidate’s visit to New Square. Clinton, wearing a head covering and a long black skirt, met with Twersky, Spitzer, Assembly Speaker Sheldon Silver, and assorted Rockland County leaders at the rabbi’s home. The community “embraced her with a warmth that surprised and delighted her campaign team,” The Daily News reported the following year.
As Clinton’s efforts to woo Twersky intensified, the rabbi hatched a strategy to achieve his one goal: winning the release of his four followers from prison. On August 25th, two weeks after Clinton’s visit, a Manhattan appeals court rejected a motion to overturn the convictions. With Adler, Clinton visited New Square again in mid-September, and according to two different accounts, one given to the News and one to the Jewish Telegraphic Agency, it was either that month or the next when Twersky told Nathan Lewin, the Orthodox Washington lawyer representing the convicted villagers, of his plan to deliver overwhelming support in New Square for Clinton’s Senate bid in order to convince her husband to grant pardons—or at least commutations—to the four men. “I thought he was out of his mind,” Lewin recalled to the News at the time. (In a phone call, Lewin denied having had any knowledge of the rabbi’s plan.)
But sure enough, commutations of the men’s sentences were among the nearly 177 pardons and other remissions Bill Clinton granted during his final days in office. Newly installed as a senator, Hillary Clinton denied reports that she had attended a meeting before the election at which Twersky’s request for pardons was discussed. “Sen. Clinton doesn’t recall ever being present during any discussion of clemency for the New Square people prior to December 2000,” Clinton’s lawyer in the case, David Kendall, told the Daily News. In March 2001, FBI investigators visited the New Square Village Hall and Israel Spitzer’s home. Silver, several Rockland officials, and numerous Clinton staffers—some of whom launched legal defense funds for themselves—testified before a grand jury with lawyers provided and paid for by an unidentified source. But White’s successor as U.S. Attorney, James Comey (now head of the FBI), closed the investigation in 2002, without filing any charges, after 9/11 prompted a redistribution of resources and George W. Bush decided it was bad karma to go after his predecessor.
***
Meanwhile, on September 12th, 2000, just a day after being mentioned by The New York Post’s Fred Dicker as a possible replacement for the outgoing state party chair, Adler had been arrested and charged with embezzling at least $375,000 in corrupt real estate deals through bribery, extortion, and mail fraud, including $135,500 for “public relations consulting work” from the developer of the massive Palisades Center mall in West Nyack, which he then funneled through a shell company. According to the complaint, Adler told associates, “If you can’t help your friends, then why get into some of these positions?’” He added that he had not become chairman of the county party to “lose money.” The schemes were similar to the one that in 1987 led to charges against Adler and two associates of bribery and conspiracy to defraud the state government of $20 million in a complicated real estate deal involving a business partner of Governor Mario Cuomo’s son, Andrew; Adler was acquitted on all charges. This time, he was represented by the Bronx-based lawyer Murray Richman, who has made an illustrious career of defending mobsters. (In 2009, Richman bragged to filmmaker Errol Morris: “I had a trial in which my client stabbed the guy in the back four times—uh, no, uh, seven times—and my defense was he kept backing into the knife. And the jury bought it!”)
Responding to demands from Lazio that Clinton return Adler’s donations, a spokeswoman for the First Lady said, “Hillary knows that this is a difficult time for Paul and his family and she wishes them well.” Though the two inquiries were kept separate, as part of the Southern District investigation into Clinton’s pardons the FBI seized two boxes of documents from the Rockland County Democratic Party headquarters, dated 1996-2000: the exact years of Adler’s term as party chair. He faced up to 60 years in prison, but was sentenced to only 19 months in medium-security Otisville penitentiary in a plea bargain his lawyers were careful to assure the Times did not include cooperation with the pardons investigation. In the Post Jack Newfield reported that it was the non-Orthodox Adler who, on that Shabbat morning in January, delivered the news about the commutations to New Square, which Adler’s lawyer denied.
It isn’t clear how much of the New Square portfolio fell to de Blasio in Adler’s absence during the final months of Clinton’s Senate campaign. But it was clearly de Blasio who benefited most from the financial largesse of the community, when Twersky’s aide Spitzer donated $2,500 to what was widely seen as a long-shot run for an open City Council seat in Brooklyn. The district—Brooklyn’s 39th—straddled Park Slope and Borough Park, the urban stronghold of ultra-Orthodox leaders. But the Skverers represent a vanishingly small part of the Borough Park community, and participate almost not at all in its power structure. While Spitzer’s father, Avraham Chaim Spitzer, is a rabbi whose shul is in Borough Park, the synagogue is not in de Blasio’s district. Besides his $2,500 donation to de Blasio’s 2001 council race; a $250 donation to de Blasio’s 2005 re-election bid; and a $3,850 donation to his 2009 public advocate campaign, Spitzer has never before or since donated to a New York City political candidate. Not in Borough Park, not anywhere, not ever: Spitzer’s financial interest in city politics is wholly restricted to de Blasio’s career.
If you are Israel Spitzer, why donate to the nascent, long-shot bid for city council—a city, of course, which you don’t live in—by the guy who just ran the Senate campaign of a woman whose husband is President of the United States and therefore has the unilateral power to grant your most dire political wish? Was he buying access to the Clintons through de Blasio?
“There is no connection whatsoever,” Spitzer said when reached by phone last week. “My relationship to Bill de Blasio is as a councilman and public advocate. We have institutions all over, in Borough Park, in Williamsburg. New Square is not just New Square.”
Did you meet de Blasio when he was working on Hillary Clinton’s 2000 Senate campaign?
“It has nothing to do with the Senate campaign or Hillary. We know him through various activities over the years.”
Your first donation to de Blasio came just a month after the end of Hillary’s campaign, and two weeks before your meeting at the White House with the Clintons.
“I was introduced to him when he decided to run for office, and I thought he was the right candidate.”
“What people may see is obvious,” says Alexander Rapoport, a de Blasio supporter who runs Masbia, a network of kosher soup kitchens that cater to the ultra-Orthodox community in Brooklyn. “Obviously, they did vote for her and they were pardoned. They don’t need for explanation. The eye sees what it sees.”
***
“We are supporting him 100%,” Spitzer says of de Blasio’s current campaign. “Not with financial support, but with access support, other support. We’re helping get communities to endorse him.”
Indeed, though he has given $2,500 to Governor Andrew Cuomo’s 2014 re-election bid, Spitzer has not yet contributed money to de Blasio’s mayoral race.
But Paul Adler has.
For a while after his release, in 2004, Adler kept a low-profile, but as the Rockland County Times noted in March, he has been staging a major comeback in the past three years, winning awards for philanthropy from the Rockland Development Council and for service to the Rockland Business Association, and serving on the boards of several Jewish community organizations. Adler has also regained his real estate license—impossible for a convicted felon in many states—and was hired in 2010 as a vice-president of Rockland-based Rand Commercial, where he tends to blend economic and political boosterism in equal parts. While Adler’s interests may be tangled, they rarely seem to conflict.
Rand Commercial is the leading firm invested in properties adjacent to the Tappan Zee Bridge replacement—Gov. Cuomo’s signature infrastructure project—and Adler has served as chief promoter for the project in local media. “It is pretty clear that when we build it, they will come,” Adler has said—a revealing use of the personal plural. “Business creates more business.” Rand has an entire website devoted to the new bridge, listing newly valuable properties for lease near the site, trumpeting Cuomo’s declarations of its necessity, and promising an economic windfall for adjacent communities. Any information Adler may have been privy to related to the bridge’s construction could have been easily and lucratively parlayed into business for Rand Commercial, but perhaps it is only attributable to coincidence or a keen sense for timing that Adler brokered the deal that will move the state police and New York State Thruway Authority facilities to a vacant warehouse owned by a Rand client in West Nyack.
Adler has also championed a projected desalination plant on the Hudson River proposed by United Water, serving the company as an advocate, pressing Rockland officials and community groups like the NAACP to support the plant over the objections of environmentalists, while encouraging the Cuomo administration to approve it. He was also recently admitted to the bar, which requires letters of recommendation vouching that the candidate possesses “the necessary character to justify the trust and confidence that clients, the public and the legal system will place in them.” Bar applications are sealed and confidential under state law.
This summer, when former state senator Nicholas Spano—who worked at Rand before being convicted of tax fraud in 2012—sought a judge’s permission to communicate with his fellow ex-con, a local paper quoted Adler advising Spano to think of redemption as “really a journey, not a destination.”
Adler’s journey has included a sharp spike in political fundraising activities—an activity the Adlers never seem to have taken much interest in before his arrest, and is perhaps an attempt to buy back the influence he lost. Since 2005, the Adler household has sprinkled more than $50,000 among dozens of local, state, and federal campaigns—including to Andrew Cuomo. He has held events at his home for Rep. Nita Lowey, a Westchester Democrat, and earlier this month hosted a major fundraiser for David Fried, the Democratic candidate for Rockland County Executive and a former White House advance aide for the Clintons who grew up in nearby Spring Valley, adjacent to New Square. A person who was involved in Rockland politics at the time said that in the fall of 2000, with Adler in prison, Fried pressed those who controlled the president’s schedule to fit in a visit to New Square, just across the Hudson from Chappaqua, where the Clintons had bought a home to facilitate Hillary’s Senate bid. According to the person, who is backing Fried in his current campaign, Fried was on the phone with Spitzer constantly at the time. Bill Clinton endorsed Fried earlier this year, saying he “worked closely” with the advance aide, and in the September primary New Square took the extraordinary step of splitting their usual bloc vote, throwing enough votes to Fried to defeat his opponent Ilan Schoenberger, the village’s long-time political patron who also attended the August 2000 meeting with Hillary Clinton.
The Facebook page for last Sunday’s “Democratic Unity Event” for Fried at Adler’s palatial home in New City, a secular community a few minutes’ drive from New Square, said “Everyone is welcome,” and the open door on a drizzly Sunday morning seemed to emphasize the point. In her rousing speech (“We need someone who’s gonna take us out of this darkness and into the light!”), Kristen Stavisky, Adler’s successor as Democratic county chair, named and drew applause for all the “electeds” in the room—all the public officials, that is, including sitting judges, willing to attend a fundraiser in a disgraced ex-convict’s home: David Carlucci, state senator; James Skoufis, assemblyman; Ellen Jaffee, assemblywoman; Christopher St. Lawrence, Mayor of Ramapo (whose town hall was raided in May by the FBI, investigating the construction of a widely-scorned baseball stadium midwifed, according to Skriloff and others, by Adler); Louis Falco, Rockland County Sherriff; and many more. Senator Kirsten Gillibrand sent a staffer. When Adler took the floor he especially called out New Square’s Spitzer, standing just to the side, for recognition. I can tell you that I’ve personally spoken with the governor,” Adler told a captivated room. “The governor will be in to campaign on this. Senator Schumer will be in. Senator Gillibrand will be in. The entire state delegation is going to be down here.”
“I don’t think candidates for political office should actively seek and obtain support, including financial, from a convicted federal felon,” says Michael Bongiorno, who as Rockland County District Attorney in 2000 helped put Adler behind bars. “I think it shows extremely poor judgment on the part of anyone who does so.”
“He is very involved with the community,” Fried says, explaining his willingness to accept Adler’s support. “He was recently admitted as an attorney, which required passage of the ‘Character and Fitness’ test. He is one of the largest donors to community programs and agencies including the JCC, and he is very involved with numerous organizations that are important to me.”
Last week, as Hillary Clinton hosted the Roosevelt Hotel event for de Blasio, her husband attended a fundraiser for Fried. Despite his $25,000 co-chairmanship of the de Blasio fundraiser, rumor has it Adler attended Fried’s. Through a spokesman, Fried declined a follow-up request for comment about his role in obtaining the New Square commutations.
“Adler is part of a small cabal that controls Rockland County,” says Robert Rhodes, a self-described left-wing Democrat who is president of the anti-developers group Preserve Ramapo, which has endorsed Fried’s Republican opponent Ed Day in the county executive race. “He’s a guy who goes to prison, then comes back here raising money for the county Democratic machine.”
***
And not only for the county machine.
Last January, the day before formally declaring his candidacy for the mayoral race, de Blasio wrote on Facebook, “My family is making a very important announcement at our home in Park Slope tomorrow.” Adler’s comment, the very first on the page, was simple: “Good luck.”
But Adler knew it would take more than luck to elect the long-shot de Blasio, having already hosted a Rockland County meet-and-greet for the candidate at his home and, along with Clinton alum Harold Ickes, co-chaired a high-dollar fundraiser for de Blasio at the Waldorf Astoria in 2010, widely seen as the first public hint of de Blasio’s mayoral aspirations and of Clintonian support. Adler has donated $1,500 so far to the mayoral campaign, while his wife Mary and son Samuel, who both also happen to work for Rand Commercial, have donated $4,950 and $250 to de Blasio, respectively, and their daughter, who was hired by Gov. Cuomo as a press officer for the state’s economic development agency, has donated $425. Adler attended de Blasio’s victory party in Gowanus on primary night last month.
Written by Adler and graced with his visage, the official Twitter feed of Rand Commercial—which does not handle city-based properties—spends a lot of time concerned with the New York City mayoral campaign:
Reached by phone, Adler praised de Blasio’s “very progressive mindset” and declared his belief that “the winds are blowing for change.” When asked whether de Blasio played any role in the New Square pardons, Adler said Hillary Clinton’s campaign manager “didn’t have anything to do with that, he had nothing to do with anything.” Asked whether he recalled de Blasio attending any meetings between Clinton and the village leaders, Adler said no, called this reporter “sleazebag” twice, and hung up.
The response de Blasio spokesman Dan Levitan e-mailed did not address questions concerning Paul Adler—including whether the candidate has ever discussed New Square with him. A subsequent request for comment has not been returned.
But on Monday, when Adler sent his announcement about chairing the Clinton/de Blasio fundraiser—from his Rand Commercial e-mail account—he wrote:
We are all inextricably linked together, so let’s be active participants in making history once again.
I know I am always asking to you to support this cause or that candidate, but, we always seem to in the right place at the right time, and this time is no exception.
Richard Kreitner is a writer and researcher in New York City. He is on Twitter at @richardkreitner and can be reached at richard.kreitner [at] gmail.com.
Source
November 9, 2013
Posted by aletho |
Corruption, Deception | Bill Clinton, Bill de Blasio, Hillary Clinton, New Square, New York, New York City, Rick Lazio |
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It used to be when a drug company settled illegal marketing charges that millions took its drugs under false pretenses, the news would be released on a Friday afternoon when no one would notice. That was then. Now almost all the drug companies have joined the Off label/Kickback club and the public doesn’t seem to notice or care.
On the surface, Johnson & Johnson’s $2.2 billion settlement this week for illegally marketing drugs to the elderly, children and the mentally disabled looks like a victory. J&J’s subsidiary, Janssen Pharmaceuticals, will plead guilty to illegally promoting the antipsychotic Risperdal for “controlling aggression and anxiety in elderly dementia patients and treating behavioral disturbances in children and in individuals with disabilities,” reports Reuters. The promotions included a brazen kickback scheme to Omnicare Inc, a pharmacy supplying nursing homes, exposed by a whistleblower.
At least 15,000 elderly people in nursing homes die a year from drugs like Risperdal said FDA drug reviewer David Graham in Congressional testimony a few years ago. Eli Lilly who makes the similar drug Zyprexa and AstraZeneca who makes Seroquel have also settled charges that they churned the elderly drug market at the price of Grandma and Grandpa’s lives.
But it is not a victory. J&J made $24.2 billion off Risperdal from 2003 to 2010 and shareholders won’t even notice this week’s nano loss. J&J milked Risperdal for all it was worth and the patent had already run out by the time it was charged with illegal schemes. Other drug giants charged with illegal marketing schemes–Abbott for Depakote, Pfizer for Bextra, Eli Lilly for Zyprexa, AstraZeneca for Seroquel, GlaxoSmithKline for Paxil and Merck for Vioxx–also got their money’s worth before the trivial nuisance of suit. Many, like Pfizer who illegally marketed its seizure drug Neurontin while under probation for illegal Lipitor activities–are brazen and shameless repeat offenders.
Many say the only justice that will get Big Pharma’s attention is frog marching the CEOs off to prison and/or cutting them off from their lucrative public trough of Medicare, Medicaid and military health programs.
Still, Big Pharma’s audacious business plan of asking forgiveness not permission is winding down. Not because Pharma, prescribers, consumers, regulators and health officials have seen the light but because there are no more big drugs to pimp. An estimated 100,000 workers will be losing their jobs at Pfizer, Sanofi, Roche, GlaxoSmithKline, AstraZeneca and Merck reported Yahoo finance last month.
Only two new drug campaigns seem to be brewing and they require a major suspension of reality on the part of doctors and patients. One tries to convince people with low back pain they actually suffer from ankylosing spondylitis an arthritis-like condition that causes chronic inflammation of the spine. If your spine is stiff when you wake up in the morning you can take an immune suppressor like Humira which puts you at risk of tuberculosis and lethal viral, fungal and bacterial infections while costing you $12,000 to $17,000 a year. Line forms to the left.
The other, even more brazen campaign, tries to convince people with insomnia, tiredness during the day, moodiness and relationship problems that they actually suffer from Non-24-Hour Sleep–Wake Disorder, a disorder that affects mostly blind people. You don’t have to be blind to have the disorder, says the new Pharma message even though there have been fewer than 100 cases of sighted people with non-24 reported in the scientific literature. It sounds like a stretch but so did convincing people with job, money and marriage problems they really had depression or bipolar disorder.
Still it is obvious the bloom has fallen off the Big Pharma rose and it is now paying the piper for the high-flying party with drug settlements like Johnson & Johnson’s this week. But that doesn’t mean shady marketing, hidden risks, kickbacks and outrageous prices are gone from the medical field. They have just moved to the Medical Device industry.
~
Martha Rosenberg is a columnist/cartoonist who writes about public health. Her first book, titled Born with a Junk Food Deficiency: How Flaks, Quacks and Hacks Pimp the Public Health, has just been released by Prometheus Books. She can be reached at: martharosenberg@sbcglobal.net.
November 8, 2013
Posted by aletho |
Corruption, Deception, Economics | AstraZeneca, Eli Lilly, GlaxoSmithKline, Neurontin, Off label, Omnicare, Pfizer, Risperdal, Risperidone |
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